Markets.com Logo
markets.com

GB00B1Z68270

$--
--%
1d
1w
1m

Analysis and statistics

  • Open
    173.3209$
  • Previous Close
    173.3209$
  • 52 Week Change
    --
  • Day Range
    0.00$
  • 52 Week High/Low
    --
  • Dividend Per Share
    --
  • Market cap
    --$
  • EPS
    --
  • Beta
    --
  • Volume
    --

About

GB00B1Z68270 is the ISIN (International Securities Identification Number) for the Schroder Strategic Credit Fund, an actively managed fixed income fund. The fund primarily invests in a diversified portfolio of global investment grade and sub-investment grade corporate bonds. It aims to provide income and capital growth by dynamically adjusting its asset allocation based on Schroder's credit research and macroeconomic outlook.
markets.com

Week Ahead: US job data takes the spotlight

Darius Anucauskas|--
SK Hynix Equity Analysis 2026: The Intersection of AI Memory Dominance and Valuation Arbitrage

SK Hynix Equity Analysis 2026: The Intersection of AI Memory Dominance and Valuation Arbitrage

Julian Parker|--
Gold Price Forecast: XAU/USD Plunges to 2026 Lows Amid Hawkish Fed and Strong Dollar

Gold Price Forecast: XAU/USD Plunges to 2026 Lows Amid Hawkish Fed and Strong Dollar

Julian Parker|--
USD/JPY Forecast: Analyzing the 161.60 Threshold Amid BoJ Policy Friction and Intervention Risks

USD/JPY Forecast: Analyzing the 161.60 Threshold Amid BoJ Policy Friction and Intervention Risks

Julian Parker|--
Crude Oil Price Forecast 2026–2030: Macro Fundamentals, Geopolitics, and Trading Strategies

Crude Oil Price Forecast 2026–2030: Macro Fundamentals, Geopolitics, and Trading Strategies

Julian Parker|--
SpaceX Stock Forecast 2027, 2031 and 2036: What the Lockup Schedule Means for SPCX Shares

SpaceX Stock Forecast 2027, 2031 and 2036: What the Lockup Schedule Means for SPCX Shares

Julian Parker|--
USD/CAD Forecast: Oil Weakness Keeps 1.4000 in Focus

USD/CAD Forecast: Oil Weakness Keeps 1.4000 in Focus

Julian Parker|--

Factors

Market performance: General market trends impact fund value. Broad market rallies lift prices, while downturns depress them.

Asset allocation: The fund's investment mix influences its performance. Stocks, bonds, or other assets react differently to economic conditions.

Fund management: The fund manager's skill in selecting investments and managing risk affects returns.

Expense ratio: Higher fees charged by the fund reduce overall investor returns, impacting the price.

Economic conditions: Macroeconomic factors like inflation, interest rates, and GDP growth affect the value of the underlying assets held by the fund.

People Also Watch

Latest news

Apple Stock Falls 6.12% as Mac and iPad Price Hikes Raise Demand Concerns

Apple Stock Falls 6.12% as Mac and iPad Price Hikes Raise Demand Concerns

Julian Parker|--
OpenAI IPO Could Be Delayed as SpaceX Volatility Tests AI Listings

OpenAI IPO Could Be Delayed as SpaceX Volatility Tests AI Listings

Julian Parker|--
Bitcoin Price Falls Below $59,000 as Hot PCE Data Revives Fed Rate-Hike Fears

Bitcoin Price Falls Below $59,000 as Hot PCE Data Revives Fed Rate-Hike Fears

Julian Parker|--

Latest Education Articles

11 Best Swap-Free Account CFD Brokers in Dubai 2026

11 Best Swap-Free Account CFD Brokers in Dubai 2026

Julian Parker|--
11 Best Swap-free Account CFD Brokers in 2026

11 Best Swap-free Account CFD Brokers in 2026

Julian Parker|--
Do You Have to Be Muslim for a Swap-Free Account?

Do You Have to Be Muslim for a Swap-Free Account?

Julian Parker|--
Recommended Topics
markets.com